Prepare and maintain accurate financial statements, including balance sheets, income statements, and cash flow reports.
Reconcile accounts monthly and ensure all financial transactions are recorded properly.
Coordinate month-end and year-end closing activities.
Oversee invoicing, collections, and vendor payments.
Monitor aging reports and follow up on outstanding receivables.
Review and approve expense reports and payment requests.
Assist in preparing annual budgets and periodic financial forecasts.
Track actual performance against budget and highlight variances.
Provide insights and recommendations to support financial planning.
Ensure compliance with accounting standards (GAAP/IFRS) and relevant laws.
Support internal and external audits by preparing required documentation.
Maintain internal controls to safeguard company assets.
Conduct cost analysis, profitability reviews, and financial modeling as needed.
Provide financial insights to support business strategies and decision-making.